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Department of Economics Southern Methodist University 3300 Dyer Street, Suite:301, Dallas TX 75275.

 

 

 

 

 

 

 

 

 

 

PUBLICATIONS


  20)  Media Access, Bias and Public Opinion, European Economic Review, Volume 147, 2022

 19)   Credit Attribution and Collaborative Work (with Huseyin Yildirim), Journal of Economic Theory, Volume 195, 2021

18)   Choosing a Media Outlet when Seeking Public Approval, Public Choice. Volume 174: 3-21, 2018

   17)   Moral Hazard, Skin in the Game Regulation and CRA Performance, International Review of Economics and Finance. Volume 52: 147-164, 2017

   16)   Minority Perception of Exclusion and Promotion Hurdles, Economics Letters. Volume 141: 55-59, 2016

   15)    Ratings as Regulatory Stamps, Journal of Economic Behavior and Organization. Volume 105: 17-29, 2014

    14)  Upfront versus Rating Contingent Fees: Implications for Rating   Quality, Finance Research Letters. Volume 11: 91-103, 2014

   13) Acquisition of Information to Diversify Contractual Risk (with Bogachan Celen) International Economic Review. Volume 53(1): 133-156, 2012.

     12) Consumer Information in a Market for Expert Services (with Kyle Hyndman, Journal of Economic Behavior and Organization. Volume 80: 628-640, 2011.

     11) Risk Sharing, Risk Shifting and the Role of Convertible Debt,   Journal of Mathematical Economics. Volume 44(11): 1257-1265, 2008.        

     10)   Stock Recommendation of an Analyst who Trades on Own   Account    Rand Journal of Economics. 38(3), 768-785, 2007  

     9) Implications of Executive Hedge Markets for Firm Value Maximization (with Bogachan Celen) Journal of Economics and Management Strategy. 16(2): 319-349, 2007.

      8) Bargaining and Exclusivity in a Borrower-Lender Relationship (with Levent Kockesen) Review of Economic Design. Volume 11, Issue 1, 53-68, 2007. 

7) The Advantage of Showing Your Hand Selectively in Foreign Exchange Interventions (with Richard Barnett) European Journal of Political Economy. 23(1): 228-244, 2007.

         6) Managerial Risk Reduction, Incentives and Firm Value Economic    Theory. 27(3): 523-535, 2006.

     5) Financial Innovations and Managerial Incentive Contracting Canadian Journal of Economics. 39 (2):434-454, 2006.

4)     Board Independence and CEO Pay Economics Letters. Volume 88: 260-265, 2005.

    3)  Tariff Discrimination versus MFN under Incomplete Information (with Kamal Saggi) Journal of International Trade and Economic Development (14):197-208, 2005. 

    2) Direct Sale of Information When Precision is Unobservable Canadian Journal of Economics. Volume 37:269-293, 2004.  

     1) Equilibrium Incentives to Acquire Precise Information in Delegated Portfolio Management Journal of Financial Services Research. Volume 25: 35-36, 2004.